OTC : BAMXF

Bayerische Motoren Werke AG

$67 USD

$1.3 (1.98%)

Volume
110
Average Volume
1.29K
Market Capitalization
$40.56B
P/E Ratio
5.20
Dividend Yield
7.57%
Price Target
Year High
$113.10
Year Low
$61.00
Day High
Day Low
Payout Ratio
$0.39
Current Ratio
$1.17
BAMXF Financial Statements
date 2025-12-31 2024-12-31 2023-12-31 2022-12-31 2021-12-31 2020-12-31 2019-12-31 2018-12-31 2017-12-31 2016-12-31
revenue 133.4B 142.38B 155.5B 142.61B 111.24B 98.99B 104.21B 97.48B 98.68B 94.16B
costOfRevenue 105.97B 119.48B 125.81B 118.04B 89.25B 85.41B 86.15B 78.92B 78.74B 75.44B
grossProfit 27.43B 22.9B 29.69B 24.57B 21.99B 13.58B 18.06B 18.56B 19.93B 18.72B
researchAndDevelopmentExpenses 6.85B 7.91B 8.32B 6.62B 6.3B 6.28B 6.42B 6.89B 6.11B 5.16B
generalAndAdministrativeExpenses 4.92B 5.16B 4.93B 4.42B 3.91B 3.5B 9.37B 9.56B 9.56B 9.16B
sellingAndMarketingExpenses 5.69B 6.14B 6.09B 6.19B 5.32B 5.3B - - - -
sellingGeneralAndAdministrativeExpenses 10.6B 11.3B 11.02B 10.62B 9.23B 8.8B 9.37B 9.56B 9.56B 9.16B
otherExpenses 125.95M 205M 188M 214M -701M -43M -307M -122M -442M -188M
operatingExpenses 17.57B 11.5B 11.21B 10.36B 8.53B 8.82B 10.5B 9.55B 10.15B 9.42B
costAndExpenses 123.54B 130.99B 137.02B 128.4B 97.78B 94.23B 96.64B 88.47B 88.89B 84.86B
netInterestIncome 220.92M 82M 45M 673M -30M -342M -320M 11M -211M -293M
interestIncome 489.82M 655M 701M 903M 206M 116M 179M 397M 201M 196M
interestExpense 268.9M 573M 656M 230M 236M 458M 499M 386M 412M 489M
depreciationAndAmortization 8.69B 8.65B 8.97B 8.57B 6.5B 6.14B 10.75B 8.6B 8.46B 8.11B
ebitda 18.55B 20.19B 26.73B 32.3B 22.79B 11.82B 13.63B 15.13B 15.91B 15.15B
ebit 9.87B 11.54B 17.75B 23.74B 16.3B 5.68B 7.62B 10.01B 11.09B 10.15B
nonOperatingIncomeExcludingInterest - -150M 724M -16.36B 7.04B -5.68B -29M -1.19B -1.3B -850M
operatingIncome 9.87B 11.39B 10.96B 23.96B 6.45B 5.65B 7.74B 10.14B 9.78B 10.28B
totalOtherIncomeExpensesNet 366.86M -423M 6.14B 16.13B 9.61B 6.2B -470M 995M 870M 361M
incomeBeforeTax 10.23B 10.97B 17.1B 23.51B 16.06B 5.22B 7.12B 9.82B 10.66B 9.66B
incomeTaxExpense 2.78B 3.29B 4.93B 4.93B 3.6B 1.36B 2.14B 2.58B 1.95B 2.76B
netIncomeFromContinuingOperations 7.45B 7.68B 12.16B 18.58B 12.46B 3.86B 4.98B 7.1B 8.68B 6.91B
netIncomeFromDiscontinuedOperations - - - - - - 44M - - -
otherAdjustmentsToNetIncome - - - - - - - -33M - -
netIncome 7.29B 7.29B 11.29B 17.94B 12.38B 3.78B 4.92B 7.12B 8.62B 6.86B
netIncomeDeductions - - - - - - 44M -33M - -
bottomLineNetIncome 7.29B 6.63B 11.29B 17.94B 12.38B 3.78B 4.87B 7.01B 8.59B 6.86B
eps 11.88 11.62 17.68 27.3 18.76 5.72 7.47 10.82 13.12 10.45
date 2025-12-31 2024-12-31 2023-12-31 2022-12-31 2021-12-31 2020-12-31 2019-12-31 2018-12-31 2017-12-31 2016-12-31
cashAndCashEquivalents 18.85B 19.29B 17.33B 16.87B 16.01B 13.54B 12.04B 10.98B 9.04B 7.88B
shortTermInvestments 2.46B 2.56B 4.13B 5.16B 5.8B 5.11B 5.96B 6.68B 7.96B 7.06B
cashAndShortTermInvestments 21.31B 21.85B 21.46B 22.03B 21.81B 18.64B 17.99B 17.65B 17B 14.94B
netReceivables 41.22B 41.4B 3.98B 4.01B 2.17B 2.2B 2.42B 2.46B 34.78B 34.99B
accountsReceivables 39.37B 41.4B 3.98B 4.01B 2.17B 2.2B 2.42B 2.46B 2.66B 2.65B
otherReceivables 1.85B - - - - - - - 32.11B 30.23B
inventory 21.27B 24.39B 23.03B 19.75B 15.54B 14.39B 15.26B 13.05B 12.71B 11.84B
prepaids - - - - - - - -1.2B - -32.34B
otherCurrentAssets 7.81B 8.74B 53.73B 55.37B 55.94B 54.86B 63.17B 59.65B 16.19B 47.55B
totalCurrentAssets 91.61B 96.39B 94.97B 92.2B 86.17B 81.81B 90.63B 83.54B 71.58B 66.86B
propertyPlantEquipmentNet 92.89B 88.42B 78.38B 74.95B 67.09B 63.84B 65.85B 58.37B 54.73B 55.75B
goodwill 1.44B 1.53B 1.49B 1.56B 380M 379M 380M 380M 380M 364M
intangibleAssets 18.47B 18.69B 18.54B 20.21B 12.6B 11.96B 11.35B 10.59B 9.08B 7.79B
goodwillAndIntangibleAssets 19.91B 20.22B 20.02B 21.78B 12.98B 12.34B 11.73B 10.97B 9.46B 8.16B
longTermInvestments 55B -79M 1.64B -320M 2.27B 1.86B -683M -2.3B -2.14B -1.25B
taxAssets 14.59B 3.24B 2.43B 1.76B 2.2B 2.46B 2.19B 1.59B 1.93B 2.33B
otherNonCurrentAssets 4.25B 59.54B 55.08B 56.56B 58.81B 54.35B 58.31B 56.81B 57.92B 56.69B
totalNonCurrentAssets 186.64B 171.34B 155.92B 154.72B 143.35B 134.85B 137.4B 125.44B 121.9B 121.67B
otherAssets - - - - - - - - - -
totalAssets 278.25B 267.73B 250.89B 246.93B 229.53B 216.66B 228.03B 208.98B 193.48B 188.54B
totalPayables 13.35B 15.26B 16.95B 13.27B 10.04B 7.75B 9.24B 8.72B 8.88B 7.81B
accountPayables 12.48B 14.13B 15.55B 12.04B 9.12B 7B 8.28B 7.56B 5.95B 5.22B
otherPayables 863.68M 1.13B 1.4B 1.22B 921M 747M 963M 1.16B 2.93B 2.6B
accruedExpenses 1.62B - - - - - - - 4.11B 878M
shortTermDebt 40.29B 27.14B 16.74B 15.01B 16.88B 13.86B 19.17B 39.26B 30.07B 15.59B
capitalLeaseObligationsCurrent - 520M - - - - - - - -
taxPayables - 1.13B 1.4B 1.22B 921M 747M 963M 2.1B 2.06B 1.88B
deferredRevenue - - - 23.92B 22.73B 22.1B 21.39B 24.87B 23.71B 24.21B
otherCurrentLiabilities 26.44B 44.77B 55.78B 56.14B 49.55B 50.36B 54.22B 22.93B 25.99B 43.71B
totalCurrentLiabilities 81.69B 87.69B 87B 84.42B 76.47B 71.96B 82.62B 70.91B 69.05B 67.99B
longTermDebt 63.98B 55.81B 43.57B 37.13B 43.43B 49.66B 52.48B 66.74B 48.78B 37.69B
capitalLeaseObligationsNonCurrent 1.99B 2.03B 2.06B - - - - - - -
deferredRevenueNonCurrent - - - 16.04B 13.13B 15.11B 14.2B 4.89B 4.87B 4.79B
deferredTaxLiabilitiesNonCurrent 16.49B 2.62B 2.8B 2.76B 1.46B 509M 632M 1.81B 2.24B 2.8B
otherNonCurrentLiabilities 16.22B 24.58B 22.54B 18.05B 21.37B 18.4B 18.82B 13.24B 21.1B 35.5B
totalNonCurrentLiabilities 98.69B 85.04B 70.97B 71.22B 77.93B 83.18B 85.5B 79.98B 69.89B 73.18B
otherLiabilities - - - - - - - - - -
capitalLeaseObligations 1.99B 2.55B 2.06B - - - - - - -
totalLiabilities 180.38B 172.73B 157.97B 155.64B 154.4B 155.14B 168.13B 150.89B 138.94B 141.17B
treasuryStock -700.74M -1.5B -500M -1.28B - - - - - -
preferredStock - - - - - - - - - -
commonStock 615.77M 639M 639M 663M 661M 660M 659M 658M 658M 657M
retainedEarnings 95.44B 92.81B 89.07B 85.42B 71.7B 59.55B 57.67B 56.12B 50.82B 44.44B
additionalPaidInCapital 2.48B 2.46B 2.46B 2.43B 2.32B 2.2B 2.16B 2.12B 2.08B 2.05B
date 2025-12-31 2024-12-31 2023-12-31 2022-12-31 2021-12-31 2020-12-31 2019-12-31 2018-12-31 2017-12-31 2016-12-31
netIncome 7.29B 10.97B 11.29B 23.51B 16.06B 5.22B 4.98B 7.24B 8.71B 6.91B
depreciationAndAmortization 8.69B 8.65B 8.97B 8.57B 6.5B 6.14B 6.02B 5.11B 4.82B 5B
deferredIncomeTax - - - -638.72K -2.74M -658M -1.18B 312M -559M 85M
stockBasedCompensation - - 598.37K 638.72K 2.74M 1.82M 11.98M 10.61M 11.64M 8.44M
changeInWorkingCapital -419.84M -8.82B -971M 3B -1.41B 4.05B -7.07B -6.97B -7.04B -8.8B
accountsReceivables -220.92M -2.76B -187M -939M 119M 160M 14M 112M 45M -93M
inventory 1.59B -128M -4.14B -115M -563M 370M -1.56B -357M -1.29B -749M
accountsPayables -485.82M - 1.61B 531M 1.8B -1.53B 429M -328M 1.41B 738M
otherWorkingCapital -1.3B -5.93B 1.74B 3.53B -2.76B 5.04B -5.95B -6.61B -5.74B -8.05B
otherNonCashItems -7.58B -3.23B -1.75B -11.56B -5.24B -2.16B -263M -336M -583M 66M
netCashProvidedByOperatingActivities 7.98B 7.57B 17.54B 23.52B 15.9B 13.25B 3.66B 5.05B 5.91B 3.17B
investmentsInPropertyPlantAndEquipment -10.96B -12.2B -10.88B -9.05B -6.62B -6.15B -6.9B -7.78B -7.11B -5.82B
acquisitionsNet 160.94M - - 3.59B 6.62B 6.15B 6.9B -209M 7.11B 10M
purchasesOfInvestments -1.24B -1.22B -805M -766M -429M -1.1B -2.37B -3.89B -4.18B -3.93B
salesMaturitiesOfInvestments 2.09B 1.85B 2.02B 1.25B 565M 3.53B 1.91B 4.38B 5.1B 3.88B
otherInvestingActivities -1000 213M 116M 205M -6.52B -6.06B -6.82B 128M 30M 10M
netCashProvidedByInvestingActivities -9.95B -11.37B -9.55B -4.77B -6.39B -3.64B -7.28B -7.36B -6.16B -5.86B
netDebtIssuance 7.48B 7.84B -1.8B -11.29B -7.62B -7.05B 7.02B 8.2B 7.15B 2.48B
longTermNetDebtIssuance 7.48B 7.84B -1.8B -10.05B -7.62B -7.05B 7.02B 8.2B 7.15B 4.11B
shortTermNetDebtIssuance - - - -1.24B - - - - 953M -1.63B
netStockIssuance -1.21B -1.02B -1.24B -1.28B 103M 28M 33M 25M 38M 20M
netCommonStockIssuance -1.21B -1.02B -1.24B -1.19B 103M 28M 33M 25M 38M 20M
commonStockIssuance 39.98M - - 85M 103M 28M 33M 25M 38M 20M
commonStockRepurchased -1.25B -1.02B -1.24B -1.28B - - - - - -
netPreferredStockIssuance - - - -85M - - - - - -
netDividendsPaid -2.65B -3.78B -5.43B -3.83B -1.25B -1.67B -2.37B -2.63B -2.32B -2.12B
commonDividendsPaid -2.65B -3.78B -5.43B -3.83B -1.25B -1.67B -2.37B -2.63B -2.32B -2.12B
preferredDividendsPaid - - - - - 25M 63M - - -
otherFinancingActivities -2B 2.73B 1.61B -1.59B 2.04B 418M 43M -1.3B -3.3B 4.02B
netCashProvidedByFinancingActivities 1.62B 5.77B -6.86B -17.98B -6.74B -8.25B 4.99B 4.3B 1.57B 4.39B
date 2026-03-31 2025-12-31 2025-09-30 2025-06-30 2025-03-31 2024-12-31 2024-09-30 2024-06-30 2024-03-31 2023-12-31
revenue 31.12B 33.44B 32.37B 33.93B 33.76B 36.42B 32.41B 36.94B 36.61B 42.97B
costOfRevenue 26.54B 28.52B 27.77B 28.35B 28.26B 30.99B 28.16B 30.28B 30.05B 35.1B
grossProfit 4.58B 4.92B 4.61B 5.58B 5.5B 5.43B 4.25B 6.66B 6.56B 7.86B
researchAndDevelopmentExpenses 1.9B 1.69B 1.6B 1.8B 1.76B 1.74B 1.92B 1.99B 1.99B 2.08B
generalAndAdministrativeExpenses 2.27B -2.73B - 1.28B 2.39B -2.79B 2.67B 1.29B 2.52B -2.67B
sellingAndMarketingExpenses - - - 1.42B - 6.14B - 1.48B -1.99B 4.01B
sellingGeneralAndAdministrativeExpenses 2.27B 1.27B 965.8M 2.7B 2.39B 3.34B 2.67B 2.77B 523M 1.34B
otherExpenses -1.89B - 196K -1.59B -1.79B -1.42B -2.04B - - -
operatingExpenses 2.28B 2.96B 2.56B 2.91B 2.36B 3.66B 2.55B 2.77B 2.52B 3.42B
costAndExpenses 28.82B 31.48B 30.33B 31.27B 30.62B 34.65B 30.71B 33.07B 32.56B 38.52B
netInterestIncome 11.04M -36.99M 4.01M -15M -12M 39.34M -30M 17M 135M 568M
interestIncome 103.39M 111.96M 115.22M 144M 131M 179.09M 148.91M 165M 162M 202M
interestExpense 92.35M 148.94M 111.21M 159M 143M 139.75M 179.25M 103M 151M 287M
depreciationAndAmortization 2.4B 2.28B 2.12B 2.14B 2.16B 2.16B 2.13B 2.17B 2.2B 2.24B
ebitda 4.7B 4.24B 4.54B 4.91B 5.41B 4.4B 3.15B 6.14B 6.27B 6.21B
ebit 2.31B 1.96B 2.42B 2.77B 3.26B 2.24B 1.02B 3.96B 4.31B 3.97B
nonOperatingIncomeExcludingInterest - -412M -372M -112M -114M -478M 674M -87M -2.24B 474M
operatingIncome 2.31B 1.96B 2.05B 2.66B 3.14B 1.77B 1.7B 3.88B 4.05B 4.44B
totalOtherIncomeExpensesNet 50.19M 219.92M 287.54M -47M -29M 343M -858M -16M 2.12B -761M
incomeBeforeTax 2.36B 2.18B 2.33B 2.61B 3.11B 2.11B 838M 3.86B 4.19B 3.68B
incomeTaxExpense 678.57M 440.83M 633.18M 772M 940M 564M 362M 1.16B 1.21B 1.07B
netIncomeFromContinuingOperations 1.68B 1.74B 1.7B 1.84B 2.17B 1.55B 476M 2.7B 2.95B 2.61B
netIncomeFromDiscontinuedOperations - - - - - - - - - -
otherAdjustmentsToNetIncome - - - - - - - - - -
netIncome 1.63B 1.77B 1.68B 1.75B 2.1B 1.5B 389M 2.61B 2.79B 2.39B
netIncomeDeductions - - - - - 660.4M - - - -
bottomLineNetIncome 1.63B 1.77B 1.68B 1.75B 2.1B 836.6M 389M 2.61B 2.79B 2.39B
eps 2.69 2.91 2.75 2.85 3.38 1.33 0.62 4.15 4.4 3.77
date 2026-03-31 2025-12-31 2025-09-30 2025-06-30 2025-03-31 2024-12-31 2024-09-30 2024-06-30 2024-03-31 2023-12-31
cashAndCashEquivalents 19.08B 18.85B 19.29B 18.08B 19.68B 19.29B 17.79B 17.86B 16.77B 17.33B
shortTermInvestments - 2.46B - 3.02B 2.2B 2.56B 2.97B 3.34B 4.32B 4.13B
cashAndShortTermInvestments 19.08B 18.85B 19.29B 21.11B 21.89B 21.85B 20.76B 14.62B 16.77B 17.33B
netReceivables 42.6B 41.22B 40.94B 39.55B 40.64B 41.4B 3B 3.74B 4.36B 3.98B
accountsReceivables 40.67B 39.37B 39.23B 39.55B 40.64B 41.4B 3B 3.74B 4.36B 3.98B
otherReceivables 1.93B 1.85B 1.7B - - - - - - -
inventory 22.72B 21.27B 23.37B 23.54B 24.58B 24.39B 29.06B 26.13B 26.15B 23.72B
prepaids - - - - - - - - - -
otherCurrentAssets 11.22B 10.27B 9.98B 8.95B 8.85B 8.74B 46.69B 53.79B 54.12B 53.73B
totalCurrentAssets 95.62B 91.61B 93.58B 93.14B 95.95B 96.39B 99.51B 98.28B 96.76B 94.97B
propertyPlantEquipmentNet 94.12B 92.89B 89.56B 87.56B 88.07B 88.42B 82.38B 81.3B 79.19B 78.38B
goodwill - 1.44B - 1.42B - 1.53B - 1.5B 366M 1.49B
intangibleAssets 19.19B 18.47B - 18.05B 19.54B 18.69B 19.34B 18.05B 19.3B 18.54B
goodwillAndIntangibleAssets 19.63B 19.91B 19.49B 19.47B 19.54B 20.22B 19.34B 19.55B 19.66B 20.02B
longTermInvestments 58.13B 55B 55.87B 62.23B 59.85B -79M -152M - 53.38B 52.16B
taxAssets 2.43B 14.59B 2.43B 3.06B 3.28B 3.24B 3.26B 2.95B 2.69B 15.9B
otherNonCurrentAssets 1.71B 4.25B 1.52B 56.47B 58.55B 59.54B 57.58B 57.02B 2.64B 2.92B
totalNonCurrentAssets 176.03B 186.64B 168.88B 166.56B 169.44B 171.34B 162.42B 160.82B 157.57B 169.39B
otherAssets - - - - - - - - - -
totalAssets 271.65B 278.25B 262.46B 259.71B 265.39B 267.73B 261.93B 259.1B 254.32B 264.36B
totalPayables 14.11B 13.35B 14.62B 14.76B 15.36B 15.26B 16.42B 14.88B 15.18B 14.48B
accountPayables 13.08B 12.48B 13.54B 13.51B 14.32B 14.13B 15.32B 14.88B 13.62B 13.08B
otherPayables 1.03B 863.68M 1.09B 1.25B 1.04B 1.13B 1.1B 1.08B 1.56B 1.4B
accruedExpenses - 1.62B - - - - - - - -
shortTermDebt 40.86B 40.29B 40.81B 47B 12.62B 27.14B 20.31B 17.98B 15.81B 16.74B
capitalLeaseObligationsCurrent - - - - - 520M - - - -
taxPayables - - - 1.25B 1.04B 1.13B 1.1B 1.08B 1.56B 1.4B
deferredRevenue - - - - - - - - 1.56B 1.4B
otherCurrentLiabilities 26.57B 26.44B 26.34B 19.5B 53.07B 44.77B 53.35B 56.21B 54.45B 55.78B
totalCurrentLiabilities 81.54B 81.69B 81.78B 81.25B 81.04B 87.69B 90.09B 89.07B 85.44B 87B
longTermDebt 71.75B 63.98B 67.14B 78.27B 75.42B 55.81B 41.87B 37.9B 35.78B 34.88B
capitalLeaseObligationsNonCurrent - 1.99B - - - 2.03B - - - 2.06B
deferredRevenueNonCurrent - - - - - - - - - 2.06B
deferredTaxLiabilitiesNonCurrent 4.44B 16.49B 3.5B 3.26B 3.12B 2.62B 2.78B 3.19B 2.98B 16.27B
otherNonCurrentLiabilities 13.99B 16.22B 14.3B 81.24B 84.73B 24.58B 36.61B 38.65B 37.46B 47.5B
totalNonCurrentLiabilities 90.18B 98.69B 84.94B 84.5B 87.85B 85.04B 78.48B 76.55B 73.24B 84.44B
otherLiabilities - - - - - - - - - -
capitalLeaseObligations - 1.99B - - - 2.55B - - - 2.06B
totalLiabilities 171.72B 180.38B 166.72B 165.76B 168.9B 172.73B 168.56B 165.62B 158.69B 171.44B
treasuryStock -1.01B -700.74M -505M -163M -1.96B -1.5B -1.42B -1.08B -784M -500M
preferredStock - - - - - - - - - -
commonStock 618.34M 615.77M 617.15M 616M 639M 639M 639M 639M 639M 639M
retainedEarnings 97.57B 95.44B 93.74B 91.92B 94.87B 92.81B 91.25B 90.86B 91.97B 89.07B
additionalPaidInCapital 2.49B 2.48B 2.48B 2.48B 2.46B 2.46B 2.46B 2.46B 2.46B 2.46B
date 2026-03-31 2025-12-31 2025-09-30 2025-06-30 2025-03-31 2024-12-31 2024-09-30 2024-06-30 2024-03-31 2023-12-31
netIncome 1.63B 1.77B 1.68B 2.61B 3.11B 2.11B 838M 2.61B 2.79B 2.39B
depreciationAndAmortization 2.4B 2.28B 2.12B 2.14B 2.16B 2.16B 2.13B 2.17B 2.2B 2.24B
deferredIncomeTax - - - - - - - - - -598.37K
stockBasedCompensation - - - - - - - - - 598.37K
changeInWorkingCapital -2.1B 3.97B -2.32B -2.12B -425M 55M -3.73B -654M -1.99B 3.92B
accountsReceivables -1.7B 4.45B -2.76B -1.94B -294.26M 7.12B -2.07B -2.85B -787M -98M
inventory - - - - - - - - - -4.14B
accountsPayables - - - - - - - - - 4.14B
otherWorkingCapital -396.5M -476.82M 440.82M -2.12B -425M 55M -3.73B -654M -1.21B 4.02B
otherNonCashItems -785.97M -7.64B 125.23M -150M -1.33B -486M 343M -2.71B 4.92B -6.94B
netCashProvidedByOperatingActivities 1.14B 390.85M 1.6B 2.48B 3.51B 3.83B -422M 1.42B 2.73B 1.62B
investmentsInPropertyPlantAndEquipment -1.75B -3.34B -2.44B -2.33B -2.86B -3.76B -3.41B -2.63B -2.41B -4.14B
acquisitionsNet - 160.94M - - - - - - - 116M
purchasesOfInvestments -138.52M -1.24B - - - - - - - -805M
salesMaturitiesOfInvestments - 1.16B 547.02M - - - - - 142M 847M
otherInvestingActivities 2.01M -251.91M 75.14M 145M 412M 307M 58M 328M 1M 168M
netCashProvidedByInvestingActivities -1.89B -3.5B -1.82B -2.18B -2.45B -3.45B -3.35B -2.3B -2.27B -3.81B
netDebtIssuance - - - - - 19.06B 6.4B - - -
longTermNetDebtIssuance - - - - - 19.06B 6.4B - - -
shortTermNetDebtIssuance - - - - - - - - - -
netStockIssuance - - - - - -1.02B - - - -
netCommonStockIssuance - - - - - -1.02B - - - -
commonStockIssuance - - - - - - - - - -
commonStockRepurchased - - - - - -1.02B - - - -1.24B
netPreferredStockIssuance - - - - - - - - - -
netDividendsPaid - - - -2.65B - -3.78B - - - -5.43B
commonDividendsPaid - - - -2.65B - -3.78B - -3.78B - -5.43B
preferredDividendsPaid - - - - - - - - - -
otherFinancingActivities 869.29M 2.69B 1.36B 867M -649M -13.16B -2.52B 1.86B -1.07B -3.64B
netCashProvidedByFinancingActivities 869.29M 2.69B 1.36B -1.78B -649M 1.1B 3.88B 1.86B -1.07B -3.46B